Attorney - Investment Banking The candidate will support Syndications for Investment Grade and Leveraged Finance (large corporate lending and credit) in the US and Canada; Agency Management and Credit Services; Wholesale Credit, Credit Risk and Corporate Banking. Review and advise on documentation and structuring in connection with syndicated finance transactions (including acquisition finance and restructuring), both as lead arranger/agent and lender. Advise and liaise with domestic and international bankers, credit officers and counsel in cross-border transactions, including Europe, Asia, Latin America and Canada. Coordinate with and manage outside counsel. Advise and assist in connection with information walls and conflicts management issues and policies. Advise and assist in connection with the recommendation, implementation and maintenance of policies, procedures and protocols for supported business groups. Advise on selected bank regulatory matters (such as anti-tying rules and affiliate transactions). Provide training in selected areas including anti-tying, information walls, credit documentation. Should have 6 + years of relevant experience, including representing lenders in a broad range of sophisticated debt finance transactions. Must have JD Degree and active license to practice law in NY, IL, NC, CA, CT, or TX (NY preferred). Some experience with a cross-border lending or capital markets transactions a plus.
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